Project Stores Inventory Management

Managing Inventory at remote Project Sites is always a challenge because of many reasons such as non-availability of skilled manpower, remoteness of stores location, non-availability /access to company ERP at project sites, lack of proper documentation, etc.

Our Specialization is to carry out the stores operations systematically, i?ndependently and as per the agreed process by deploying the skilled / trained resources.

We take the ownership by continuous monitoring & enable accurate / timely reports by implementing the PSIT software that’s specifically designed for this types of projects Inventory.

Our aim is to “Manage the Inventory and its accounting at sites so that Project Team and Other Stake Holders can have easy and accurate access of Inventory position to take decisions on contractor, supplier and provide accurate inputs to sourcing team to procure the materials WELL IN TIME”.

Are you facing any of these challenges...?

Project Stores Management Process Flow

Pro-TEAM Site Stores Solution

Customized & Integrated

Standard SOP For
Stores Considered

Minimum Training

24/7 Tech support

online & Mobile
App Based

Clear Accountability
With Approvals


Documents Attached
With reach

Independence of

Project team to
focus on execution

HO team to get
immediate reports

Pro-TEAM Services for Project Inventory

Complete Site Stores Accounting including Receipts, Issues, Transfer, etc

End to End Stores Management through in house developed Software.

Contractor Consumption & Reconciliation

Project Site Periodic Inventory Verification and reconciliation

Project Asset Verification

Industry Coverage

Substation Projects

Transmission & Distribution projects

Renewable Projects


HDVC Projects


Showroom Inventory Audit

We are one of the leading service providers for retail industry at PAN India level and we offer specific customised services which include showroom audit, compliance audits, warehouse audit, return / damaged stock audit, SOP audit, hygiene audit, dispatch audit, GRN audit, reconciliation and asset confirmation.